9/12/2024 | BKBWHYIGLM | Charter aims to cut leverage via EBITDA growth rather than paydowns
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5/23/2024 | HYIGLM | Charter Communications upsizes, prices tender offer for 2025 notes
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5/10/2024 | HYIGLM | Charter Communications amends tender offer, ups cap to $2.5 billion
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5/9/2024 | HYIGLM | Charter Communications starts tender offer for 4.908% secured notes due 2025
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10/30/2023 | BKBWHYLM | Charter will keep leverage ratio within targeted range of 4x to 4.5x
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5/2/2022 | BKBWHYIGLM | Charter notes sale pushes leverage up, but company reiterates target
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1/28/2022 | BKBWHYLM | Charter has 4.39x leverage ratio; execs plan to keep it around there
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11/19/2020 | CVLM | GCI Liberty buys $458.99 million 1.75% exchangeables for $819 million
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7/22/2020 | HYLM | Charter to repay 5 7/8% notes due 2024 with proceeds of new notes
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3/5/2020 | HYLM | Charter may refinance 2022, 2023 notes via new notes due 2030, 2032
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2/6/2020 | HYLM | Charter to use note proceeds to redeem three series of notes
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10/1/2019 | HYLM | Charter units take in tenders of $60.63 million 5¼% notes due 2021
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9/18/2019 | HYLM | Charter units tender for 5¼% notes due 2021 at 100.125
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6/25/2019 | IGLM | Charter may repay Time Warner’s 5% notes with proceeds from new notes
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4/3/2018 | IGLM | Charter to redeem Time Warner Cable’s 6.75% notes via new deal
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7/27/2017 | BKBWHYIGLM | Charter extends weighted average debt maturity to 11½ years
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3/9/2017 | HYLM | Charter to repurchase, redeem $2 billion of Time Warner’s 5.85% notes
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1/17/2017 | HYLM | Charter to buy back 6 5/8% notes due 2022 via $1 billion new issue
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4/7/2016 | HYLM | Charter Communications to repurchase, redeem 7% notes, 7 3/8% notes
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2/4/2016 | HYLM | Charter may repurchase, redeem 7% and 7 3/8% notes via new issue
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4/24/2015 | HYLM | Charter to redeem 5½%, 5¾% notes issued to fund nixed acquisition
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4/21/2015 | HYLM | Charter wraps tenders for 63.31% of 7¼% notes, 75.45% of 8 1/8% notes
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4/13/2015 | HYLM | Charter tenders for $1 billion 7¼% notes, $700 million 8 1/8% notes
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4/13/2015 | HYLM | Charter to tender for $1 billion 7¼% notes, $700 million 8 1/8% notes
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6/25/2013 | HYLM | Charter gets tenders for all $250 million 8% notes issued by Bresnan
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6/11/2013 | HYLM | Charter tenders for $250 million 8% notes due 2018 issued by Bresnan
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5/3/2013 | HYLM | Charter gets tenders, consents for $296 million 7 7/8% notes to date
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4/19/2013 | HYLM | Charter tenders, seeks consents for $900 million 7 7/8% notes due 2018
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10/31/2012 | HYLM | Charter Communications units calls $468.28 million of 131/2% notes
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9/10/2012 | HYLM | Charter Communications calls $678 million of 131/2% notes at 108.522
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2/16/2012 | HYLM | Charter wraps tender offers for three note series, calls 10 7/8% notes
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2/1/2012 | HYLM | Charter extends tender offers for three series of notes, raises size
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1/26/2012 | HYLM | Charter units report early results in tender offers for three series
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1/11/2012 | HYLM | Charter units to spend $843 million to purchase notes in tender offers
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12/30/2011 | HYLM | Charter subsidiaries complete tender offer for three notes series
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12/14/2011 | HYLM | Charter subsidiaries get tenders for $1.31 billion of notes so far
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11/30/2011 | HYLM | Charter to spend up to $1 billion to buy back three series of notes
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8/9/2011 | HYLM | Charter Communications buys back $100 million 8% second-lien notes
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4/28/2010 | HYLM | Charter Communications subsidiaries get needed consents for 83/4%, 8 3/8% notes, lift tender payout
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